Investors accept the risks of everyday market fluctuation and understand that not all investments succeed. However, sometimes the deck is stacked against you, either because of fraudulent conduct by the companies in which you invest or their officers, directors and advisors or because of misconduct you your broker. If you think you might have been victimized by either type of misconduct, it pays to have experienced counsel help you determine if you have a claim.
The lawyers at Kahn & Associates are extremely knowledgeable about the workings of the capital markets. We investigate situations involving large numbers of investors defrauded by public companies, their auditors and their investment bankers. We are familiar with the public securities markets and the fraud and abuses that occur there.
We have also helped many clients assert arbitration claims against their brokers before the Financial Industry Regulatory Authority (FINRA). Kahn & Associates lawyers have successfully represented clients seeking recoveries in FINRA arbitrations for more than 30 years.
If you think your rights have been violated and would like to learn more about either of these claims, please follow the links below or contact us to discuss your situation and how we can help.